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2

Contacts

1

Industries

Jah

VAT liability

15

Annual reports

Unsubmitted declarations

??
???

Credit rating

45

Tax data

Tax debts

6

Related persons

0

Holdings in companies

Statistics

6

Summary of reports

0

Licenses

5

Regulations

0

Real estate

0

TTJA decisions

0

Court decisions

0

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0

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Dafine Engineering OÜ

Legal form:
Private limited company
Registry code:
11725491
VAT no.:
EE101352165
Fiscal-year period:
01.04 - 31.03
Established:
28.09.2009 (16)
Former business names:
5+ Komanjon UÜ, 5+ Kompanjon OÜ
Capital:
3 050 EUR
Address:
Pärnu mnt 142, Kesklinna linnaosa, Tallinn, Harju maakond, 11317
Status:
Registered
Contacts
Industries
  • PROFESSIONAL, SCIENTIFIC AND TECHNICAL ACTIVITIES
  • Architectural & engineering activities; technical testing and analysis
  • Architectural & engineering activities and technical consultancy
  • Engineering activities and related technical consultancy
  • 71129 - Other engineering activities
VAT liability
Start End
EE10135216503.03.2010
Annual reports
Aggregate data
Period Submitted
202501.04.2025 - 31.03.2026Due date 30.09.2026
202401.04.2024 - 31.03.202524.08.2025Valid
202301.04.2023 - 31.03.202412.12.2024Valid
Unsubmitted declarations
No unsubmitted declarations found

No unsubmitted declarations as of 03.06.2026.

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???
Credit rating

Hidden

Credit rating is based on company financial data and payment behavior. detailed analysis available to regia+ users.

020406080100
? Risk factors
? Strengths
View summary

Tax debt

Unsubmitted reports

Unsubmitted declarations

0

Court decisions

0

Official announcements

0

TTJA decisions

0

Real estate

0

.ee domains

0

Licenses

18

Regulations

0

Public transactions

0

Holdings in companies

Enforcement proceedings

Payment orders

Tax data
State taxes Labour taxes Taxable turnover Employees
2026 Q134 836 €37 665 €
84 008 €74.8%
7
Kokku 2026:34 836 €37 665 €
84 008 €
2025 Q432 230 €34 400 €
333 025 €0.1%
7
2025 Q337 541 €40 094 €
333 262 €24.6%
6
2025 Q233 752 €35 963 €
442 040 €152.1%
7
2025 Q134 705 €35 338 €
175 333 €9.5%
7
Kokku 2025:138 228 €145 795 €
1 283 660 €48.4%
Revenue by industry
2022 2023 2024
Other engineering activities 1 277 240 € 634 542 €
Manufacture of other special-purpose machinery n.e.c. 1 872 925 €
Tax debts
No tax debt found

No tax debt as of 03.06.2026


Representatives
Name
Personal ID code
Date of birth
Role
Start
End
Asko Uolevi Saarinen-23.06.1962 (63)Board member22.02.2017-
Antti-Pekka Juhani Jakonen-13.07.1965 (60)Board member03.12.2015-
Jaak Rajamets36707XXXXXX07.07.1967 (58)Board member11.11.2011-
2 inactive record hidden, extended access to the information portal is required to view history!
Shareholders
Name
Personal ID code
Date of birth
Role
Share
%
Type
Start
End
Veiko Vasko37912XXXXXX24.12.1979 (46)Shareholder366,00 EUR12Sole ownership02.09.2023-
Tampereen Sähköpalvelu Oy--Shareholder2 013,00 EUR66Sole ownership02.09.2023-
osaühing Kuvatron10463XXX29.06.1998 (27)Shareholder671,00 EUR22Sole ownership02.09.2023-
7 inactive record hidden, extended access to the information portal is required to view history!
Ultimate beneficial owners
Name
Personal ID code
Date of birth
Role
Start
End
Antti-Pekka Juhani Jakonen-13.07.1965 (60)Member of higher governing body (board or supervisory board)18.10.2018-
Veiko Vasko37912XXXXXX24.12.1979 (46)Direct holding18.10.2018-
1 inactive record hidden, extended access to the information portal is required to view history!
Holdings in companies
No holdings in companies found

Company has no holdings in other companies

2026 Q1
Turnover
Amount
84 008 €
Monthly average
28 003 €
Per employee
4 000 €
Equity ratio
918,12%
Labour taxes
Turnover ratio
44,84%
Tax ratio
108,12%
Monthly average
12 555 €
Per employee
1 794 €
State taxes
Monthly average
11 612 €
Turnover ratio
41,47%
Estimated salary
Gross salary
3 262 €
Net salary
2 571 €

Aggregate data
2024 2023 2022 2021 2020
Current assets284 891 €50.2%571 549 €32.9%851 818 €31.9%645 944 €11.6%578 936 €49.3%
Non-current assets30 093 €6.1%32 040 €65.8%93 758 €41.9%161 334 €26.9%220 725 €23.8%
Total assets314 984 €47.8%603 589 €36.2%945 576 €17.1%807 278 €1.0%799 661 €18.0%
Financial ratios
 2024  2023  2022  2021  2020
Profit and cash flow
EBITDA -TW NZS CFE JDT IKV TCM 236 332 270 099
Liquidity
Current ratio T.T F.B C.W 3.2 3.0
Quick ratio D.B C.L U.E 2.0 2.0
To view all financial ratios, you need to subscribe to extended access to the info portal!
Licences & notices
No licenses and notices found

Company has no active licenses and business activity notices

Regulations
Regulations
Regulation no.
Date
Type
Deadline
Status
Ä 10134211 / M406.10.2024Warning for deletion from register – annual report not filed09.01.2025Deficiencies remedied (13.12.2024)
Ä 10134211 / M306.10.2023Warning for deletion from register – annual report not filed09.01.2024Deficiencies remedied (13.12.2023)
Ä 10134211 / 1402.09.2023Entry - Amendment entryEntered into force (02.09.2023)
Ä 10134211 / 1317.01.2018Entry - Amendment entryEntered into force (17.01.2018)
Ä 10134211 / 1201.12.2017Entry - Amendment entryEntered into force (01.12.2017)

Real estate
No real estate found

Company has no real estate

Consumer Disputes Committee decisions
No consumer dispute committee decisions found

Company has not been issued consumer dispute committee decisions

Official announcements
No official announcements found

Company has no issued official announcements

Public transactions
No public transactions found

Company has no public transactions

.ee domains
No domains found

Company has no valid .ee domains

Enforcement proceedings
No enforcement proceedings found

Company has no active debts with bailiffs

Payment orders
No payment orders found

Company has no court-ordered payment orders